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Accounting Specialist
  • Warszawa
Accounting Specialist
Warszawa, Warszawa, Mazowieckie, Polska
Randstad Polska Sp. z o.o.
18. 9. 2025
Informacje o stanowisku

On behalf of our client, a leading global bank, Randstad is currently seeking a motivated and detail-oriented Accounting Analyst to join their dynamic team in the heart of Warsaw. This is an excellent opportunity to advance your career within a truly international environment where English is the primary language of communication.

If you have a keen eye for detail and a passion for finance, we encourage you to apply!

What we expect

  • A minimum of 3 years of professional experience in accounting.

  • Advanced (C1) level of English, both written and spoken.

  • Eligibility to live and work in Poland.

  • Proficiency in MS Excel and experience with an ERP system.

  • Excellent communication and interpersonal skills.

  • Availability to start new job immediately or with a 2-week notice period.

Employment agency entry number 47

this job offer is intended for people over 18 years of age

What we offer

  • An attractive salary based on your experience (details will be provided during a phone interview).

  • B2B contract with the possibility of long-term cooperation.

  • A flexible hybrid work model (50% from our modern office in central Warsaw, 50% remote).

  • The opportunity to join a private medical care plan and a sports card program.

  • The chance to work in a multicultural, prestigious, and professional environment.

Your tasks

  • Daily reconciliation of general ledger balances to the sub-ledger.

  • Preparation of comprehensive reconciliation packages.

  • Identifying and clearing accounting exceptions and mismatched items.

  • Analysing reoccurring issues and assisting in the development of process improvements.

  • Monitoring the status of aged breaks on balance sheet accounts.

  • Exercising sound judgement regarding the proper application of accounting principles to reconciliations.

  • Effectively communicating with team members, management, and business partners.

  • Responding to requests for information from the Balance Sheet Substantiation team.

  • Ensuring that all financial reporting deadlines are met.

  • Participating in and/or leading projects as assigned.

  • Maintaining strong client and third-party administrator relationships through clear and professional communication.

  • Resolving data inconsistencies between the banks records and those provided by clients or vendors.

  • Responding promptly to both standard and non-standard queries, maintaining a high level of business correspondence.

  • Coordinating the onboarding of new clients, processes, and solutions within the team and department.

  • Managing and updating Static Data in line with incoming requests.

  • Supporting Business Managers with ad hoc tasks and actively contributing to technical improvements and process redesign initiatives to drive efficiency.

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